Fondos liquidativos

Fondo: CAIXABANK BOLSA GESTION EUROPA, FI CLASE ESTANDAR

Fecha

Valor liquidativo

05/12/2025 8,95577718 euros
04/12/2025 8,96343069 euros
03/12/2025 8,92958255 euros
02/12/2025 8,90156831 euros
01/12/2025 8,88902291 euros
30/11/2025 8,91709855 euros
29/11/2025 8,91767548 euros
28/11/2025 8,9182527 euros
27/11/2025 8,89541247 euros
26/11/2025 8,88763595 euros
25/11/2025 8,76692688 euros
24/11/2025 8,68818665 euros
23/11/2025 8,67099502 euros
22/11/2025 8,67155738 euros
21/11/2025 8,67211964 euros
20/11/2025 8,73948361 euros
19/11/2025 8,69725266 euros
18/11/2025 8,69497385 euros
17/11/2025 8,84024039 euros
16/11/2025 8,88997668 euros
15/11/2025 8,89055425 euros
14/11/2025 8,8911319 euros
13/11/2025 8,97669314 euros
12/11/2025 9,04986487 euros
11/11/2025 8,96202909 euros
10/11/2025 8,84910989 euros
09/11/2025 8,69834864 euros
08/11/2025 8,69890264 euros
07/11/2025 8,69945685 euros
06/11/2025 8,76324068 euros
05/11/2025 8,81038497 euros
04/11/2025 8,79920999 euros
03/11/2025 8,82486974 euros
02/11/2025 8,82382477 euros
01/11/2025 8,82438344 euros
31/10/2025 8,82494234 euros
30/10/2025 8,875012 euros
29/10/2025 8,89356029 euros
28/10/2025 8,91202447 euros
27/10/2025 8,9254611 euros
26/10/2025 8,89855648 euros
25/10/2025 8,89912264 euros
24/10/2025 8,89968868 euros
23/10/2025 8,88919635 euros
22/10/2025 8,83872068 euros
21/10/2025 8,88181143 euros
20/10/2025 8,86744295 euros
19/10/2025 8,76188556 euros
18/10/2025 8,76243474 euros
17/10/2025 8,76298359 euros